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United States Oil Fund LP

U9N:GR
Frankfurt
8.37
EUR
0.05
0.65%
As of 2:29 AM EDT 8/21/2017
Open
8.36
Day Range
8.36 - 8.37
Volume
0
Previous Close
8.43
52Wk Range
7.73 - 11.56
1 Yr Return
-16.14%
Before it's here, it's on the Bloomberg Terminal.
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Open
8.36
Day Range
8.36 - 8.37
Volume
0
Previous Close
8.43
52Wk Range
7.73 - 11.56
1 Yr Return
-15.40%
YTD Return
-24.53%
NAV (on 01/14/2009)
23.72299
Total Assets (b USD) (on 08/18/2017)
2.538
Inception Date
05/05/2006
Premium/Discount
-
Average 52-Week Premium
-
Fund Managers
RAY ALLEN
Last Dividend (on -)
-
Dividend Indicated Gross Yield
-
Expense Ratio
-
3 Mo Return
-8.62%
3 Yr Return
-31.45%
5 Yr Return
-21.63%

Top Fund Holdings

Name Position Value % of Fund
52.16 k 2.54 b 49.76
200.00 m 200.00 m 3.92
126.17 k 126.17 m 2.47
100.00 m 100.00 m 1.96
100.00 m 100.00 m 1.96
100.00 k 99.94 m 1.96
90.00 k 89.84 m 1.76
80.00 k 79.82 m 1.56
80.00 k 79.77 m 1.56
80.00 k 79.72 m 1.56
Profile
United States Oil Fund LP is a Delaware limited partnership incorporated in the USA. The Fund's objective is to have changes in percentage terms of its unit's net asset value reflect the changes of the price of WTI Crude Oil delivered to Cushing, Oklahoma, as measured by changes in percentage terms of the price of the WTI Crude Oil futures contract on the NYMEX. The fund is a commodity pool.
Address
United States Commodity Funds
1999 Harrison Street
Suite 1530
Oakland, CA 94612
USA
Phone
1-800-920-0259